TRANE TECHNOLOGIES PLC - COM Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2020 to Q3 2025

Type / Class
Equity / COM
Price per share
$421.96
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
42,298
Total reported value
$17,847,656
% of total 13F portfolios
0%
Share change
+12,322
Value change
+$5,199,404
Number of holders
3
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 3 institutional investors reported holding 42,298 shares of TRANE TECHNOLOGIES PLC - COM.

Institutional Holders of TRANE TECHNOLOGIES PLC - COM across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q3 42,298 $17,847,656 +$5,199,404 $421.96 3
2025 Q2 29,976 $13,111,964 -$31,931 $437.41 2
2025 Q1 39,305 $13,542,387 -$9,557,465 $336.92 3
2024 Q4 55,932 $20,657,948 -$1,913,656 $369.35 4
2024 Q3 61,113 $23,756,226 -$7,031,933 $388.73 3
2024 Q2 87,750 $28,863,910 +$536,477 $328.93 3
2024 Q1 86,119 $25,853,193 -$18,517,426 $300.20 3
2023 Q4 148,531 $36,226,770 -$6,012,200 $243.90 4
2023 Q3 178,283 $36,174,974 +$4,972,999 $202.91 5
2023 Q2 153,775 $29,411,317 -$49,949,102 $191.26 3
2023 Q1 121,958 $78,495,833 +$52,341,820 $183.98 3
2022 Q4 118,990 $20,001,183 -$9,359,623 $168.09 3
2022 Q3 183,121 $26,518,115 -$3,278,072 $144.82 4
2022 Q2 205,759 $26,722,113 +$4,620,458 $129.87 4
2022 Q1 170,183 $25,986,667 -$371,164 $152.70 3
2021 Q4 172,614 $34,873,141 +$187,082 $202.03 3
2021 Q3 171,688 $29,642,363 -$38,554,099 $172.65 3
2021 Q2 393,093 $72,384,627 -$33,204,726 $184.14 4
2021 Q1 544,806 $90,198,125 -$21,043,504 $165.56 3
2020 Q4 671,911 $97,534,246 +$8,244,888 $145.16 3
2020 Q3 615,161 $74,621,796 +$1,620,631 $121.88 4
2020 Q2 602,074 $53,572,152 +$4,456,815 $88.98 2
2020 Q1 551,989 $45,589,236 +$45,589,237 $82.59 2